Fiducial inference for gamma distributions: two-sample problems
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Publication:5082571
DOI10.1080/03610918.2019.1568471zbMATH Open1489.62069OpenAlexW2913129662WikidataQ128500140 ScholiaQ128500140MaRDI QIDQ5082571FDOQ5082571
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Publication date: 21 June 2022
Published in: Communications in Statistics. Simulation and Computation (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1080/03610918.2019.1568471
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Cites Work
- Inference with normal-gamma prior distributions in regression problems
- Fiducial Generalized Confidence Intervals
- Test of Equal Gamma-Distribution Means with Unknown and Unequal Shape Parameters
- Negative Binomial Regression
- Compound gamma, Beta and F distributions
- Simple and accurate inference for the mean of the gamma model
- Small sample inference for gamma parameters: one‐sample and two‐sample problems
- Statistical and probabilistic methods in actuarial science.
- Fiducial generalized \(p\)-values for testing zero-variance components in linear mixed-effects models
- A fiducial \(p\)-value approach for comparing heteroscedastic regression models
- Fiducial confidence limits and prediction limits for a gamma distribution: Censored and uncensored cases
Cited In (9)
- Simultaneous confidence intervals for mean differences of multiple zero-inflated gamma distributions with applications to precipitation
- Comparing scale parameters in several gamma distributions with known shapes
- Comparison of some interval estimation methods for the parameters of the gamma distribution
- Modified generalized \(p\)-value and confidence interval by Fisher's fiducial approach
- Exact confidence region for the parameters of the gamma distribution based on two independent samples
- Inferencia fiducial
- Bootstrap inference on the Behrens–Fisher-type problem for the skew-normal population under dependent samples
- Confidence intervals of the inverse of coefficient of variation of delta-gamma distribution
- Nonparametric generalized fiducial inference for survival functions under censoring
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